industrial wind energy: when planning & guidelines...
TRANSCRIPT
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 1 of 68
Neville, T
INDUSTRIAL WIND ENERGY: WHEN PLANNING & GUIDELINES FAIL THE
LOCALS; IS COMMON LAW AN INSTRUMENT TO PROTECT NEIGHBOURS? A
DISCUSSION ON NUISANCE AND NEGLIGENCE ACTIONS RELATING TO
NOISE AND HEALTH.
TANIA NEVILLE
This case is a reminder that energy facilities can generate more than electricity;
they can also generate conflict.1
I ABSTRACT
There is a growing body of information, data, opinion, litigation and complaint surrounding
the proliferation of industrial wind turbine developments worldwide. Governments have been
quick to adopt the purported clean energy benefits of such development but slow to advance
and implement appropriate guidelines, enforcement mechanisms and a means to examine
what appears to be a growing public health issue related to noise.
This paper reviews case law to date and current health and independent noise data that
indicate litigation in common law for private nuisance and negligence may succeed based on
the common complaints associated with living near industrial wind turbines, that is, noise,
health problems and property devaluation.
Planning and guidelines in relation to these developments now offer certainty to developers
but have reduced the input of locals and local government. It is considered that the global
view cannot override well established common law principles and that those impacted by
these developments locally, should be able to seek redress in the courts.
Government responses to global problems should not result in harm or damage to individuals
or small communities.
1 Erickson v Ministry of Environment [2011] 10-121/10-122 (Ontario Environmental Review Tribunal) per Jerry
V. DeMarco, 6 (‘Erickson Case’).
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 2 of 68
Neville, T
CONTENTS: 2
I Abstract 1
II Introduction 3
III Method 3
IV PART 1 5
A Rationale: The Growth of the Industrial Wind Turbine Industry 5
B Planning Framework in South Australia 7
C Global vs Local Interest: a flawed debate? 10
V PART 2 11
D Private Nuisance: 11
1. Elements 11
2. Substantial and Reasonable 12
3. Title to sue 14
4. Statutory Nuisance 14
E Application to wind Farms 16
5. Noise 16
6. Noise and Health 20
7. Other issues 25
VI PART 3 26
F Negligence 26
8. Elements 27
9. Duty of Care 27
10. Legislation: risk 29
11. Standard of care 30
12. Fire risk 31
13. Legislation: standard of care 32
14. Breach 32
15. Causation and remoteness of Damage 33
16. Burden of Proof 36
17. Non Natural use of land? 38
18. Remedies 40
19. Limitation 40
20. An action in contract? 41
VII PART 4 42
G Settled cases 42
H Why settle? 44
I Discussion 45
VIII Conclusion 47
Bibliography 49
Appendix I Senate Committee Recommendations 62
Appendix II Preliminary Research on Blade Disposal by P Stoops and T Neville 63
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 3 of 68
Neville, T
II INTRODUCTION
This paper examines current research and case law to determine the availability of a common
law action of private nuisance and negligence against an industrial wind turbine company, a
local council, and/or a land owner hosting turbines, by a neighbour to the development. The
discussion focuses on well established common law principles and is in response to recent
South Australian planning amendments that are intended to avoid delays and uncertainty for
developers by limiting notification obligations.2 The interim planning amendments ensure
any development application that is compliant must be approved,3 decisions can only be
appealed on the grounds of judicial review of process, and third party appeal rights are not
available even to those who may be impacted by a development.4 These amendments
recommend a mere one kilometre spacing between turbines and a rural dwelling, and two
kilometre spacing from a township, a distance that some research indicates may result in poor
outcomes for local residents.5
III METHOD
This paper will focus on the current law on private nuisance and negligence in Australia and
reviews recent case law in South Australia regarding wind farms and noise.6 Case law
relating to industrial wind turbines in Canada the United States and United Kingdom will also
be considered.
There is an analysis of recent research into sound compliance that may act as a catalyst for
potential litigation, that is; independent research into noise at industrial wind turbine sites in
2 Development Act 1993 Declaration of interim operation of Statewide wind farm development amendment
(DPA) (19 October 2011) The South Australian Government Gazette www.governmentgazette.sa.gov.au. 3 Development Act 1993 (SA) s 35(1).
4 Department of Planning and Local Government, Statewide Wind Farms Development Plan Amendment:
Community Information, October 2011, Government of South Australia. 5 See, eg, Colin H Hansen, Stony Gap Wind Farm Noise Assessment (22 February 2012) Mechtest Mechanical
and Engineering Testing and Consultant, prepared for local resident; Christopher D Hanning and Alun Evans,
‘Wind Turbine Noise seems to affect health adversely and an independent review of evidence is needed’ (March
2012) 344 (e1527) British Medical Journal; Barbara J Frey and Peter J Hadden, ‘Wind Turbines and Proximity
to Homes: The Impact of Wind Turbine Noise on Health, a review of the literature and discussion of the issues’
(2012). 6 Quinn v Regional Council of Goyder [2010] SAERDC 63 (‘Quin Case’); Quinn v Regional Council of Goyder
[2011] SASFC 126 (‘Quin Appeal’).
http://www.governmentgazette.sa.gov.au/
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 4 of 68
Neville, T
South Australia, Victoria and New South Wales, which reveals serious non compliance issues
for operators and exposes critical flaws in the noise guidelines.7
This paper anticipates acting as a guide for future litigation while accepting that legal action
is at the expense of the public generally in that it may potentially result in higher power
prices and possibly council rates. It is contemplated that the recent formation in the South
Australian Legislative Council of a select committee to investigate, inter alia, the social,
economic and health impact of wind farms,8 and in the Commonwealth Senate a motion to
immediately act on the 2011 Senate Inquiry Committees seven recommendations into the
Social and Economic Impact of Rural Wind Farms,9 including epidemiological studies into
effects on human health and assessment of noise impacts,10
could alleviate the need for future
litigation. A recent motion for a moratorium on the construction of further wind farms was
rejected by federal parliament.11
It is considered that the wind industry may avoid future litigation by contemplating the Draft
National Guidelines,12
but this is unlikely given that it has not attained widespread
acceptance, especially in South Australia as the government seeks to meet ambitious
7 The Acoustic Group Pty Ltd, Peer Review of Acoustic Assessment Flyers Creek Wind Farm, 15 December
2011, submission to Draft NSW Planning Guidelines: Wind Farms (14 March 2012), NSW Government
Planning and Infrastructure
http://www.planning.nsw.gov.au/Development/Onexhibition/tabid/205/ctl/View/mid/1081/ID/66/language/en-:
AU/ Default.aspx (‘Acoustic Group Peer Review’); The Acoustic Group Pty Ltd, Review of Draft Wind Farm
Guidelines, 14 March 2012, submission to Draft NSW Planning Guidelines: Wind Farms (14 March 2012),
NSW Government Planning and Infrastructure
http://www.planning.nsw.gov.au/Development/Onexhibition/tabid/205/ctl/View/mid/1081/ID/66/language/en-
AU/ Default.aspx (‘Acoustic Group Draft’); Hansen, above n 5; Bob Thorne, Noise Impact Assessment Report
Waubra (Vic) Wind Farm, for Mr and Mrs N Dean, Noise Measurement Services, Report Number 1537-Rev 1-
July 2010. 8 South Australia, Private Members Motions Adjourned Debate, Legislative Council, 28 March 2012, 751 755
(Hon DW Ridgway). 9 Commonwealth, Journals of the Senate #74, Senate, 8 February 2012, 2054 2055, (Nick Xenophon) see
Appendix 1. 10
; Parliament of Australia Senate Committees, Appendix 1, The Social and Economic Impact of Rural Wind
Farms, Recommendations
http://www.aph.gov.au/Parliamentary_Business/Committees/Senate_Committees?url=clac_ctte/impact_rural_wi
nd_farms/report/b02.htm. 11
Commonwealth, Journals of the Senate #74, Senate, 8 February 2012, 2054 2055, (Nick Xenophon) see
Appendix 1, the motion was carried but a vote on the moratorium failed 36 to 27. 12
Environment Protection and Heritage Council (EPHC) National Wind Farm Guidelines Draft July 2010, (7
July 2010) Australian Government
http://www.ephc.gov.au/sites/default/files/DRAFT%20National%20Wind%20Farm%20Development%20Guide
lines_JULY%202010_v2.pdf.
http://www.aph.gov.au/Parliamentary_Business/Committees/Senate_Committees?url=clac_ctte/impact_rural_wind_farms/report/b02.htmhttp://www.aph.gov.au/Parliamentary_Business/Committees/Senate_Committees?url=clac_ctte/impact_rural_wind_farms/report/b02.htmhttp://www.ephc.gov.au/sites/default/files/DRAFT%20National%20Wind%20Farm%20Development%20Guidelines_JULY%202010_v2.pdfhttp://www.ephc.gov.au/sites/default/files/DRAFT%20National%20Wind%20Farm%20Development%20Guidelines_JULY%202010_v2.pdf
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 5 of 68
Neville, T
emissions reductions in accordance with the Renewable Energy Target scheme13
and various
other national14
and international obligations.15
The first part of this paper introduces the rationale for this debate, the planning framework in
South Australia and the debate surrounding global and local priorities. Part two discusses
private nuisance law, who can sue, and the relationship of current noise and health studies in
Australia, New Zealand, United States and Canada that reinforces the potential for nuisance
actions. The third part raises common law negligence, non natural use of land, fire risks and
the legislative framework that provides for such litigation. The fourth part will give an
overview of international cases that have settled, and finally, there is a discussion about
possible mitigation and the need for further debate, research and evaluation to determine the
continued viability of such development.
IV PART 1
A Rationale: The Growth of the Industrial Wind Turbine Industry
To ensure Australia’s commitment to its international environmental obligations the
government has implemented domestic law to encourage ‘clean energy’ and ‘renewable’
energy use to meet ambitious CO2 reductions by 2050.16
Wind energy has dominated growth
in renewable energy to become the second largest after hydroelectricity.17
13
Renewable Energy Targets (20 December 2011) Australian Government Dept of Climate Change and Energy
Efficiency, implemented August 2009 and is designed to deliver on the Government's commitment to ensure
that 20 per cent of Australia's electricity supply will come from renewable sources by 2020
http://www.climatechange.gov.au/government/initiatives/renewable-target.aspx. 14
Each state and territory is constitutionally responsible for energy matters within its own jurisdiction and is
implemented at state and local level using existing planning systems, Senate Committee, The Social and
Economic Impact of Rural Wind Farms, Report: Interface between commonwealth, state and local planning
laws Ch3,(14 March 2011) Parliament of Australia
http://www.aph.gov.au/Parliamentary_Business/Committees/Senate_Committees?url=clac_ctte/impact_rural_wi
nd_farms/report/index.htm. 15
Kyoto Protocol, opened for signature 11 December 1997, 37 ILM 22 (entered into force 16 February 2005);
United Nations Framework Convention on Climate Change, opened for signature 4 June 1992, 1771 UNTS 164
(entered into force 21 March 1994) (UNFCCC). 16
Clean Energy Act 2011 (Cth) s 3, Objects; Australia’s long-term target of reducing Australia’s net greenhouse
gas emissions to 80% below 2000 levels by 2050. 17
David Leary and Miguel Esteban ‘Recent Developments in Offshore Renewable Energy in the Asia-Pacific
Region’ (2011) 42(1) Ocean Development & International Law 94, 95.
http://www.climatechange.gov.au/government/initiatives/renewable-target.aspxhttp://www.aph.gov.au/Parliamentary_Business/Committees/Senate_Committees?url=clac_ctte/impact_rural_wind_farms/report/index.htmhttp://www.aph.gov.au/Parliamentary_Business/Committees/Senate_Committees?url=clac_ctte/impact_rural_wind_farms/report/index.htm
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 6 of 68
Neville, T
The current South Australian government has determined it will reach an installed capacity of
33% wind energy by 2020.18
The consequence being a proliferation of wind farms in rural
South Australia,19
which has resulted in large tracts of agricultural land targeted due to its
proximity to existing infrastructure and wind.20
Many small communities have a deep connection and historical attachment to their land and
even though the wind factories are largely on private property, they can impact on many other
people within a 10km range of these private holdings and detract from the beauty, visual
amenity, quiet, and tourism potential, for what some consider questionable gains.21
A growing body of case law, health studies, environmental issues, noise problems, policy and
economic discussion has arisen in many countries including Australia, the UK, Denmark,
Canada and the US, exposing a problem with the approach to wind energy creating legal,
environmental and moral challenges.
Worldwide litigation has had mixed outcomes and is expensive, time consuming and may
delay or restrain wind farm developers. Tort based climate litigation, while largely
unsuccessful must overcome the reluctance of the courts to step into a policy arena,
especially noting that renewable energy regulations are purportedly utilised for a global
public good.22
The increase in the size of the turbines to improve efficiency (the most economical turbines
are the 3MW category which are generally over 150 metres tall),23
appears to correlate with
the tort of nuisance created by the escalation in noise and infrasound. Chief Executive Officer
of the Danish turbine company Vestas, states that it is technically not possible to make
18
Rann, Mike, South Australia Meets 20% Renewable Energy Target, (22 June 2011) Ministerial Statement to
South Australian Parliament, Government of South Australia http://www.renewablessa.sa.gov.au/files/110622-
ministerial---renewable-energy-.pdf. 19
South Australia has over 540 turbines representing 54% of Australia’s wind operating capacity. 20
Tim O’Loughlin, Commissioner for Renewable Energy, Government of SA to the South Australian
Interconnector Feasibility Study: Draft Report (letter dated 12 January 2011)
http://www.aemo.com.au/planning/0179-0194.pdf. 21
See also Statewide wind farms amendment: submissions (13 December 2011) Government of South Australia
http://www.sa.gov.au/subject/Housing%2C+property+and+land/Building+and+development/Building+and+dev
elopment; Gordon Hughes, Why is Windpower so Expensive? An Economic Analysis (6 March 2012) The
Global Warming Policy Foundation http://thegwpf.org/gwpf-reports.html; Hanning and Evans, above n 5. 22
Eric A Posner, ‘Climate Change and International Human Rights Litigation: A Critical Appraisal’ (2007) 155
University of Pennsylvania Law Review 1938. 23
Letter from Ditlev Engel, (CEO Vestas, Denmark) to Karen Ellemann, (Minister of Environment,
Copenhagen) 16 December 2011.
http://www.renewablessa.sa.gov.au/files/110622-ministerial---renewable-energy-.pdfhttp://www.renewablessa.sa.gov.au/files/110622-ministerial---renewable-energy-.pdfhttp://www.aemo.com.au/planning/0179-0194.pdfhttp://www.sa.gov.au/subject/Housing%2C+property+and+land/Building+and+development/Building+and+developmenthttp://www.sa.gov.au/subject/Housing%2C+property+and+land/Building+and+development/Building+and+developmenthttp://thegwpf.org/gwpf-reports.html
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 7 of 68
Neville, T
changes to wind turbines so that they produce less noise as it requires time and resources and
that large wind turbines are the most efficient.24
B Planning Framework: South Australia
A development authorisation for an industrial wind farm must be sought under the
Development Act 1993 (SA) s 32, and no development can be undertaken unless it is
approved under this Act. There are three process pathways.
The first pathway is the local council, which is the relevant authority for the assessment of
applications for wind farms and they consult with the Environment Protection Agency (EPA),
landholders, and sometimes the community. Council strategic plans provide some general
principles relating to visual impact and neighbour nuisance. About 80% of wind farms in
South Australia have followed this process.
The second pathway provides an application be determined as Crown development/ public
infrastructure, which includes the infrastructure used in connection with the supply of
electricity and the Crown approval process, applies.25
A government department (such as
Renewables SA) may be a sponsor for these wind projects and the application is processed by
the Development Assessment Commission, an independent statutory body.26
There are no
appeal opportunities and two wind farms have been approved under this method.27
The third pathway is major development under section 46 of the Act. Under the Act the
minister may declare a proposed development a major development where it is considered of
major environmental, social or economic importance. This means the application may be
subject to further environmental assessment which may include an Environmental Impact
Statement (EIS), a Public Environment Report (PER) or a Development Report (DR).28
Depending on the location for the development it may be referred as a ‘controlled action’29
under the Environmental Protection and Biodiversity Conservation Act 1999 (Cth).
24
Ibid. 25
Development Act 1993 (SA) ss 49, 49A. 26
South Australian Department of Planning, Guide to Development Approval (6 April 2012) South Australian
Government http://www.planning.sa.gov.au/. 27
Ibid. 28
Development Act 1993 (SA) s 46(5)(e). 29
Development that may threaten endangered species for whatever reason may constitute a controlled action.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 8 of 68
Neville, T
Other considerations for applicants may include land division under the Real Property Act
1886 (SA), Native Title Act 1993 (Cth) for applications not on freehold land, Civil Aviation
Safety Authority (CASA) if there is an airport within 15 kilometres or if the structures are
over 110 metres tall, and applicants must be aware of significant historic sites that may be on
the register and therefore must comply with the Australian Heritage Commission Act 1975
(Cth).
All wind farm applications are referred to the Environment Protection Authority (EPA),30
which also acts as the regulatory body after construction. The relevant development
assessment panel must assess the extent to which the proposal accords with the planning
strategy, accords with the development plan, and satisfies the requirements prescribed by the
Regulations.31
The planning process seeks to balance conflict over land uses with neighbours given the
opportunity to participate in the planning process and raise any objections.32
Planning
permission reflects the assessment panel’s belief that the benefits of a project outweigh any
negative impacts on neighbouring landowners, but is not a statutory authorisation and does
not prevent any interference from a wind farm being a nuisance.33
The Environment Protection Act 1993 (SA) provides a means for an authorised body (EPA or
council) to take an action in environmental nuisance against the persons responsible for a
pollutant such as the emission of noise and/or vibration.34
The act does not provide for a private cause of action but does not affect common law
actions.35
Offences constituted by the act lie within the jurisdiction of the Environment,
Resources and Development Court (ERDC).36
30
Development Act 1993 (SA) s 37. 31
Ibid s 25. 32
Penelope Crossley, ‘Private Nuisance: An Ill Wind for Wind Energy Projects?’ (2011) 19(2) Torts Law
Journal 147. 33
Ibid 147 8; The Environment Protection Act 1993 (SA) s 8 Civil remedies not affected; The provisions of this
Act do not limit or derogate from any civil right or remedy and compliance with this Act does not necessarily
indicate that a common law duty of care has been satisfied. 34
Environment Protection Act 1993 (SA) ss 3 4, 18A, 131. 35
Ibid s 8. 36
Ibid s 132.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 9 of 68
Neville, T
The act defines environmental harm (which includes potential harm, material harm and
serious harm) as environmental nuisance encompassing any adverse effect on amenity value
of an area that is caused by pollution, that unreasonably interferes with (or is likely to
interfere with) the enjoyment of the area by persons occupying a place, or, any unsightly or
offensive condition caused by pollution.37
The harm may involve actual or potential harm to
the health or safety of human beings that is not trivial, or other actual harm that results in
actual or potential loss or property damage.38
There is a defence where it is proved a person has complied with provisions39
and taken all
reasonable and practicable measures to prevent or minimise the environmental harm.40
The current EPA wind farm noise guidelines are not mandatory but the duty to comply would
fall within s 25(3)(b), compliance with a policy.
The objectives of the act promote ecologically sustainable development that enable people
and communities to provide for their economic, social and physical well being and for their
health while sustaining the potential of natural and physical resources to meet the... needs of
future generations.41
As discussed below, compliance with current guidelines does not always lead to good
outcomes for neighbours of industrial wind turbines. Proponents argue that that the benefits
of this type of renewable energy outweigh any aesthetic, environmental or physical harm.
Opponents consider that construction of 150 metre tall concrete, steel, and carbon fibre
towers that each use over an acre of pastoral land, that for some destroy the indiscriminate
beauty and naturalness of previously quiet country-side, does not meet this objective.
37
Ibid ss 3(b), 5(a)(i) (ii). 38
Ibid ss 5(3)(ii) (iii). 39
Ibid s 84(1)(b)(ii). 40
Ibid s 25. 41
Ibid s 10.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 10 of 68
Neville, T
The lack of independent noise testing, health studies and enforcement is a hindrance to the
effectiveness of this act.42
Compliance and adequacy of relevant industry standards is a core
issue in this debate.
C Global vs Local Interest: A Flawed Debate?
In Taralga Landscape Guardians Inc v Minister for Planning,43
Preston CJ, had to balance
objections of local residents to a wind farm and the issue of climate change stating that;
‘addressing the implications of climate change involves a complex intersection of political,
economic and social considerations’.44
Preston commented that the areas that are best suited
to wind energy are also the most visually prominent locations,45
but that he was satisfied that
the, ‘overall public benefits outweigh any private disbenefits either to the Taralga community
or specific landowners’.46
Further, that as a result of the litigation the project was more
environmentally responsible than that originally approved.47
The Taralga case acknowledged that the global environmental agenda is now in competition
with the local environmental agenda creating a basis for favouring public and global
environmental good over private or local interests that may include construction of industrial
wind turbines.48
Vanderberg argues this approach may be flawed as energy strategies are limited by scientific
knowledge and poor energy policy that has resulted in wind turbines that do not constitute a
good design exemplar compatible with human, social and environmental contexts.49
Creating
a problem and compensating for them by adding mitigating technologies creates an unstable
system, thus preventing genuine solutions and a failure to recognise the depth of our current
energy dilemma.50
42
See discussion below. 43
Taralga Landscape Guardians Inc v Minister for Planning and RES Southern Cross Pty Ltd [2007] NSWLEC
59 (‘Taralga’). 44
Ibid 59, 19. 45
Ibid 81. 46
Ibid 352. 47
Ibid 4. 48
Judith Jones, ‘Global or local interests? The significance of the Taralga wind farm case’, in Tim Bonyhady
and Peter Christoff (eds), Climate Law In Australia (Federation Press, 2009) 274. 49
Willem H Vanderburg, ‘Assessing Our Ability to Design and Plan Green Energy Technologies’ (2011) 31
Bulletin of Science, Technology & Society 251, 255. 50
Ibid 252-4.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 11 of 68
Neville, T
Scott asks whether the international community has in fact been complicit in the climate
crisis by facilitating the global capitalist economy and whether the capitalist system is
compatible with the objective of ecological sustainability.51
Arguably the ideal of global good
that suppresses the rights of citizens and victims is simply unacceptable, and the courts may
do well to reconsider its role in determining for whose ‘good’? ‘Is bad judicial regulation
better than no regulation at all?’52
V PART 2
D Private Nuisance
1 Elements
Common law private nuisance occurs when someone substantially and unreasonably
interferes with,53
or disturbs someone else's ordinary and reasonable use or enjoyment of the
land they own or occupy.54
The interference occurs without direct entry onto the affected
person's land,55
and the wrongdoer does not have to actually be the occupier from which the
nuisance emanates; it is enough that such a person is vested with management and control of
the premises.56
Fault on the part of the defendant requires:
1. the defendant knew or ought to have known of the nuisance;
2. the interference or damage to the neighbour's property from the nuisance was
reasonably foreseeable; and
3. the defendant did not take reasonable action or steps to end the nuisance.57
51
Shirley V Scott ‘Is the Crisis of Climate Change a Crisis for International Law: Is International Law too
Democratic, too Capitalist and too Fearful to Cope with the Crisis of Climate Change? (2007) 14 Australian
International Law Journal 31; Emma Dunlop, Jane McAdam and Tim Stephens, ‘Editorial: The International
Law on Climate Change’ (2007) 14 Australian International Law Journal 9, 10. 52
Tim Stephens, ‘International Courts and Climate Change: ‘Progression, ‘Regression’, and ‘Administration’ in
Rosemary Lyster (ed), In the Wilds of Climate Law (Australian Academic Press, 2010) 53, 56. 53
Grand Central Car Park Pty Ltd v Tivoli Freeholders [1969] VR 62, 72 per McInerney J (public nuisance). 54
Sedleigh-Denfield v O'Callaghan [1940] AC 880, 896-7 per Lord Atkin. 55
The appropriate remedy for direct interference with the use and enjoyment of land owned or occupied by
someone (ie when entry onto the land is involved) is trespass. 56
Hall v Beckenham Council (1949) 1 KB 716. 57
Robson v Leischke [2008] NSWLEC 152 per Preston CJ.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 12 of 68
Neville, T
Actionable interferences must be actual or likely and no action will lie if the plaintiff is
abnormally sensitive to harm.58
In Paltridge v District Council of Grant,59
the tribunal stated
that the evidence of local residents around the Hallett wind farm in the mid north of South
Australia complaining of adverse health effects due to noise, fell into a small group of the
population ‘unusually sensitive to sound’.60
There are three ways of committing nuisance:
1. nuisance by encroachment on a neighbors land;
2. nuisance by direct physical injury to a neighbors land; and
3. nuisance by interference with a neighbors quiet enjoyment of his land.61
It is the third category that attracts claims from industrial wind turbine developments.
Physical damage or personal injury more readily infers a nuisance but when the interference
relates to private enjoyment it may be harder to find.62
For an action in private nuisance to lie in respect of interference with the plaintiff's enjoyment
of his land, it will generally arise from something emanating from the defendant's land, such
as noise, dirt, fumes, and vibrations.63
The question of whether a noise constitutes a nuisance
is emphatically one of degree.64
Where the action is based on substantial interference with
enjoyment of the land, by noise or vibration then the ‘reasonableness’ of the activity will
govern the liability.65
2 Substantial and Reasonable
The claimant must prove that the defendant’s conduct was unreasonable, the rule sic utere tuo
ut alienum non laedas; ‘so use your own property as not to injure your neighbours’, applies.
58
Sedleigh-Denfield v O’Callaghan [1940] AC 880. 59
[2010] SAERDC 23. 60
Ibid 127 8. 61
Hunter v Canary Wharf [1997] AC 655. 62
Halsey v Esso Petroleum Co Ltd (1961) 2 All ER 145, per Veale J, ‘…always a question of degree whether
the interference with comfort or convenience is sufficiently serious to constitute a nuisance.’ 63
Hunter v Canary Wharf Ltd [1997] AC 655, 685. 64
Gaunt v Fynney (1872) 8 Ch App.8, 12, per Lord Selbourne. 65
Halsey v Esso Petroleum Co Ltd (1961) 2 All ER 145.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 13 of 68
Neville, T
To be an actionable private nuisance on an aspect of use or enjoyment of land, there must be
a substantial degree of interference with the comfort and convenience of the occupier ‘so
substantial as to cause damage to him’.66
The loss of a single nights sleep caused by noise of
a dairy could amount to substantial interference,67
as can vibration from a factory.68
In Cambridge Water Co v Eastern Counties Leather plc,69
Lord Goff stated:
If the user is reasonable, the defendant will not be liable for consequent harm to his
neighbour’s enjoyment of his land; but if the user is not reasonable, the defendant will
be liable even though he may have exercised reasonable care and skill to avoid it …the
relevant control mechanism being found with the principle of the reasonable user.
The court will balance competing factors such as locality, time, duration, nature of activities,
alternatives and motive.70
Time is a critical factor in regard to noise interference and
determinative of whether it is substantial.
In Seidler v Luna Park Reserve Trust,71
the judge granted an injunction limiting the hours of
operation of a roller coaster because of its potential to be intrusive, distracting and annoying
and more so if the noise continued over several hours on successive days. It is noted in that
case that the judge said the residents deserved some respite. This has direct implications for
wind turbine noise which may be intermittent, can occur night and day, can be intrusive as it
is heard inside and outside of a dwelling, and can interfere with television and radio signals,
and may constitute a substantial interference.
Recently, due to persistent noise complaints from locals at the Hallett 2 wind farm in South
Australia, and recognising that the Hallett 2 wind development is currently incapable of
satisfying EPA guidelines, AGL have shut down 16 of its 34 turbines between 7 pm and 7
am.72
66
Munro v Southern Diaries Ltd [1955] VLR 332, 334 per Scholl J. 67
Ibid. 68
Sturges v Bridgman (1879) 11 Ch D 852. 69
[1994] 1 All ER 53, 299. 70
Frances McGlone and Amanda Stickley, Australian Torts Law (Lexis Nexis Butterworths, 2nd
ed, 2009) 551. 71
(unreported , NSW SC, Hodgson J, 21 September 1995, BC9505507). 72
Email from Peter Quinn (solicitor) to Waubra Foundation, 5 November 2011; Press Release, Local Residents
Appeal Upheld in SA Supreme Court, Waubra Foundation, 7 November 2011.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 14 of 68
Neville, T
At the Falmouth wind farm in Cape Cod, Massachusetts, USA, the local council have
approved that some of the towns turbines be turned off from 7 pm to 7 am each day
representing a compromise between the town and the people who live near the turbines who
for more than a year have complained of nausea, vertigo and other health problems.73
This
will affect the turbines revenue stream but falls short of a decision about whether the town
should order an emergency shutdown of the turbines.74
3 Title to Sue
Liability falls on the person who causes the nuisance and upon those who are responsible.75
An occupier may be liable for a nuisance caused by someone on the land with the occupiers
permission for the act of the person for which permission has been given.76
The liability
stems from a duty which arises from his occupation of the land that it not be used in an
unreasonable way which causes detriment to occupiers of other land.77
A plaintiff must have
possession of the land, such as a freeholder or tenant in possession, or a licensee.78
Wind farm contracts comprise a lease agreement between a freehold landowner and a power
company (the developer) granting an exclusive right to develop and operate a wind farm on
the land.79
The agreement grants, inter alia, rights to enter, traverse and remain on land with
vehicles and equipment and to construct, erect, relocate and remove equipment on or under
any part of the land.80
The agreement encompasses the entire folio section of the land
concerned.
The landowner and the developer can thus both be held liable for the nuisance.
4 Statutory Nuisance
73
‘Falmouth turbine compromise OK’d’ Cape Cod Times (online) 9 May 2012
http://www.capecodonline.com/apps/pbcs.dll/article?AID=/20120509/NEWS/205090314. 74
Ibid. 75
De Jager v Payneham (1984) 36 SASR 498. 76
Laugher v Pointer (1826) 5 B & C 547; 108 ER 204. 77
Ibid. 78
Hunter v Canary Wharf Ltd [1997] AC 655, 690 5. 79
Licence Option and Lease Agreement Stony Gap (SA) 2009. 80
Ibid.
http://www.capecodonline.com/apps/pbcs.dll/article?AID=/20120509/NEWS/205090314
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 15 of 68
Neville, T
Generally speaking, it is a defence to a nuisance created by an authority where it is the
inevitable result of the performance of its statutory functions, unless it can be found that the
authority was negligent.81
The statutory authority to do the authorized act imports a duty of
care towards persons who are, or whose property is, likely to be affected by the performance
of the act.82
The authority must exercise due skill and care and having regard to all that is known or that
may be ascertained by inquiry into available methods of construction, supervision and
inspection bearing upon keeping the dangerous thing or substance within the land to which it
has been bought.83
Statutory authority may save the authority from liability on a strict basis but affords no
protection from liability for an injury caused by negligence, the act may be lawful but the
mischievous consequence is a wrong.84
In the case of local government, if a council fails to act in good faith it will lose protection;
good faith is assumed where an authority acts substantially in accordance with the relevant
local government act.85
Good faith involves more than honest ineptitude, it involves acting
honestly without any ulterior motive.86
Tort reforms have lowered the standard of care for public authorities to recognise the limits
of their resources and provide defences to liability for ‘obvious risks’ and the materialization
of ‘inherent risks’.87
Property owners may have a claim that the actions of the local authority created the nuisance,
the interference being created by conduct that is unreasonable and substantial, this does not
require a breach of duty.88
81
Allen v Gulf Oil [1981] AC 1001. 82
Benning v Wong (1969) 122 CLR 249, 256. 83
Ibid 274. 84
Ibid 282, 296. 85
Jan McDonald, ‘A risky climate for decision making: The liability of development authorities for climate
change impacts’ (2007) 24 Environmental Planning Law Journal 405, 414. 86
Mid-density Development v Rockdale Municipal Council (1993) 83 LGERA 104. 87
Civil Liability Act SA 1936 ss 36, 39; see Jan McDonald, ‘The adaption imperative: Managing the legal risks
of climate change impacts’, in Tim Bonyhady and Peter Christoff (eds), Climate Law In Australia (Federation
Press, 2009) 136.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 16 of 68
Neville, T
Statutory nuisance was raised in Nichols v Powerglen Renewables.89
The plaintiffs claimed
the council were responsible for the continuance and recurrence of the nuisance (noise) and
repeatedly failed to take action in respect of its recurrence. The judge dismissed the council
from proceedings because they were statutorily empowered by the Environmental Protection
Act 2004 (UK) to enforce any nuisance order made and would be placed in an impossible
position if they were a guilty party.
Statutory provisions which permit public authorities to engage in what otherwise would be
tortious conduct are strictly construed,90
and exemption clauses that affect common law rights
are only abrogated by clear and unambiguous statutory intent.91
Councils are generally named as defendants in Australian cases regarding wind farms,92
and
councils should be obliged to apply proper consideration to the best advice, research, and
legal avenues to avoid further future costly litigation.
The Regional Council of Goyder in South Australia’s mid north has recently twice delayed
the assessment of the Stony Gap wind farm proposal due to publicly raised concerns about
noise compliance and has taken the step to seek independent review of the noise assessment
provided by TruEnergy as part of their development application.93
E Application to wind farms
5 Noise
The most common complaint about industrial wind turbines is that they are noisy. Noise
issues have been raised in every private nuisance claim in respect of wind energy projects in
88
Ibid. 89
Nichols v Powerglen Renewables (South Lakeland Magistrates Court, UK, 20 January 2004). 90
Brodie v Singleton [2001] HCA 29, 97. 91
See Benning v Wong (1969) 122 CLR 249 for a discussion on this. 92
See, eg, Paltridge v District Council of Grant [2010] SAERDC 23; Perry v Hepburn Shire Council [2007]
VCAT 1309; Quinn Case [2010] SAERDC 63; Quinn Appeal [2011] SASFC 126; The Sisters Wind Farm Pty
Ltd v Moyne Shire Council [2010] VCAT 719; Gullen Range Wind Farm v Minister for Planning [2010]
NSWLEC 1102. 93
Email from John Birrell (ABC Local News) to Sue Scarman re; John Brak (Council CEO on air statement) 11
May 2012.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 17 of 68
Neville, T
the past thirty years.94
There is audible noise perceived by the ear/ brain system and so called
inaudible infrasound felt by the body.95
The ongoing case of Quinn,96
currently on appeal in South Australia is principally about
noise.97
The noise is described as; whooshing, whirring, a roar, hum, thud or low pitched
buzzing.98
This is consistent with noise complaints worldwide.99
In the Quinn Case the court noted that the South Australian 2009 wind farms environmental
noise guidelines were not a statutory instrument but reflected the current school of thought on
assessing noise impacts of a wind farm.100
This is an interesting aspect of the guidelines as
they cannot be applied as legislation and merely represents policy documents to assist with
compliance.101
It is only after complaint that the Environment Protection Authority (EPA)
can act by issuing an Environment Protection Order under section 93 of the Environment
Protection Act 1993 (SA) to secure compliance with the guidelines.102
This raises concerns
about breach and compliance as there are no statutory noise levels or penalties.
In the Quinn Case evidence by an acoustician for the electricity company, AGL claimed that
the maker of the turbines guarantees that the turbines will be supplied free from tonality.103
The prediction of noise in the planning assessment did not account for tonality or background
noise at receptor (dwelling) levels and the court said prediction and compliance measures
were matters for policy framers.104
However, the appeal case rests largely on tonality being identified that undermines the
validity of the decibel ‘A’ scale which affects what is actually heard, resulting in an
94
Crossley, above n 32, 141. 95
John P Harrison, ‘Wind Turbine Noise’ (2011) 31 Bulletin of Science, Technology & Society 256. 96
Quinn Case [2010] SAERDC 63, 37. 97
Ibid; Quinn Appeal [2011] SASFC 126. 98
Quinn Case [2010] SAERDC 63, 97. 99
See Frey and Hadden, above n 5; Stephen Harland Butler, ‘Headwinds to a Clean Energy Future: Nuisance
Suits Against Wind Energy Projects in the United States’ (2009) 97(5) California Law Review 1337, 1341;
1349. 100
Quinn Case [2010] SAERDC 63, 73-76. 101
Ibid 75. 102
Environmental Protection Authority, Wind farms environmental noise guidelines (July 2009) Government of
South Australia http://www.epa.sa.gov.au/ 15. 103
Quinn Case [2010] SAERDC 63, 85. 104
Ibid 84-109, A.
http://www.epa.sa.gov.au/
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 18 of 68
Neville, T
inadequate and inaccurate noise assessment.105
The EPA guidelines state that tonality is a
characteristic that can increase the adverse impact of a given noise source.106
The evidence of tonality at the wind farm was not produced in accordance with discovery
orders requested at the initial hearing, despite the demonstration of audible tonality being
present in this type of turbine since March 2007, prior to planning approval.107
The appeal,
remitted back to the Environment Court, is due to be heard in June 2012.
Excessive noise operating more or less constantly substantially and unreasonably interfered
with a range of activities including reading and sleeping, which resulted in an injunction
restraining wind turbine operation in Rose v Chaikin.108
In the Quinn Case all deponents reported experiencing sleep disturbance and tiredness, some
complained of headache, stress and problems with their ears.109
Field studies suggest that
turbine noise has a character that makes it more annoying and stressful than other noise
sources which is partly due to amplitude modulation, turbulent inflow and up-wind turbine
wake.110
Modulation is a continuous feature of the wind farm under normal operational
conditions, but the sound may not always be audible.111
There is no routine testing of noise for compliance of wind farms post construction and
therefore no feedback on planning for future wind farms,112
nor are any testing data or
acoustic compliance reports for operational wind farms available in the public domain.113
An independent assessment for local residents of the Stony Gap wind farm noise assessment
submitted to council,114
found that the guidelines will be exceeded at a number of residential
locations on many occasions under stable atmospheric conditions.115
Further, the report
105
Quinn v Regional Council of Goyder [2010] SCSA, 1724 of 2010, Appellants Summary of Argument. 106
Ibid. 107
Ibid 12 20. 108
Rose v Chaikin 187 NJ Super. 210 (1982) 215, 218, 223. 109
Quinn Case [2010] SAERDC 63, 97. 110
Harrison, above n 94, 256, 260. 111
Bob Thorne, ‘The Problems With “Noise Numbers” for Wind Farm Noise, Assessment’ (2011) 31 Bulletin of
Science, Technology & Society 262, 266. 112
Harrison, above n 95, 257. 113
Acoustic Group Draft, above n 7. 114
Stony Gap is in the Mid North of South Australia between Burra and Robertstown. 115
Hansen, above n 5, 5.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 19 of 68
Neville, T
criticised the fact that noise inside a residence will be dominated by low frequencies even
more than outside the residence and no account is taken of low frequency dominance at large
distances from the turbines. Other criticisms include that the method for determining the
background noise levels is flawed and the guidelines make no distinction between night and
day when establishing background noise levels.116
Hansen concluded that there was no doubt that the wind farm noise levels will exceed
predicted noise levels at night time and during stable weather conditions or when turbines are
downwind of others and that individual modelling is desirable before proceeding with
approval.117
This application is currently before council.118
The Hansen report has been
submitted as part of the objection process and may form part of the evidence of any future
litigation that the potential for excessive noise was foreseeable and/ or the defendant
(landowner/developer) did not take reasonable precautions to prevent the nuisance.
Other independent Australian studies undertaken near wind farms by Stephen Cooper at
Capital Hill, Woodlawn Wind, Cullerin Range,119
and by Bob Thorne at Waubra,120
have also
exposed the failure of the guidelines and inefficiencies surrounding noise predictions.
Unpredictability of interference can, in itself contribute to unreasonableness,121
so the very
nature of wind energy may contribute to this aspect of nuisance.
NASA funded research in the 1980s and 90s found that; wind turbines produce primarily
infra and low frequency sound; wind turbine noise travels farther than other sounds and wind
turbine noise is a significant indoor noise problem due to room resonance and a dominance of
infra and low-frequency acoustic energy.122
116
Ibid. 117
Ibid. 118
Regional Council of Goyder, Development Application Number 422/115/11. 119
Acoustic Group Draft, above n 7. 120
Thorne, Noise Impact Assessment Report Waubra, above n 7. 121
Kennaway v Thompson [1981] 1 QB 88. 122
Richard R James, ‘Wind Turbine Infra and Low-Frequency Sound: Warnings Signs That Were Not Heard’
(15 December 2011) online Bulletin of Science Technology & Society
http://bst.sagepub.com/content/early/2011/11/07/0270467611421845 7. 122
Thorne, Noise Impact Assessment Report Waubra, above n 7.
http://bst.sagepub.com/content/early/2011/11/07/0270467611421845
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 20 of 68
Neville, T
Turbines produce a range of disturbing frequencies out of place in the natural soundscape
extending from the audible range down into infra-sound.123
Residents frequently report that
developers have claimed that the gentle sounds of the turbines will be absorbed or masked by
the natural sounds of the environment,124
but this is usually not the experience.
Research has shown that the acoustic energy from wind turbines is capable of resonating
houses, effectively turning them into three-dimensional loud speakers.125
The phenomenon of
natural resonance combines to produce a cocktail of annoying sounds which not only disturb
the peace and tranquillity once-enjoyed by the residents, but also stimulate a number of
disturbing physiological effects which may manifest as physical symptoms.126
As early as 1982 studies on wind turbine noise have shown that a person inside a house can
sense the impingement of noise on the external surfaces of the house by means of noise
transmitted through the structure, vibrations of the primary components of the building such
as floors, walls and windows, and whole body perception of vibratory motion.127
The noise issue remains on foot. Independent research reveals the South Australian
guidelines are inconsistent and contradictory within their own legislative framework and fail
to meet their own objectives.128
The Guidelines permit noise from a wind farm that may be
intrusive and offensive and leave the doors open for private nuisance challenges.
6 Noise and Health
It was re-iterated in Hunter v Canary Wharf,129
that legal nuisance will lie where the
interference affects the health, physical comfort or well being of the plaintiffs.
123
Ibid 153. 124
Ibid. 125
Ibid. 126
Ibid. 127
HH Hubbard, ‘Noise Induced House Vibrations and Human Perception’ (1982) 19(2) Noise Control
Engineering 49. 128
Acoustic Group Peer Review, above n 7; Zhenhua Wang, Evaluation of Wind Farm Noise Policies in South
Australia: A case study of Waterloo Wind Farm (Masters Dissertation, University of Adelaide, 2011). 129
[1997] AC 655.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 21 of 68
Neville, T
In Pelmothe v Phillips,130
the plaintiffs wife suffered a protracted illness as a result of the
defendants actions in carrying out blasting operations. The plaintiff brought an action in
nuisance for damage to his house and injury to his wife;
If a man, in the performance of an act which amounts to a nuisance, does cause injury to
the health of a person dwelling within a house and such an injury is the reasonable and
natural consequence of his act, and such injury would be likely to be caused to ordinary
persons similarly situated, then he is responsible for the injury.131
It was confirmed by the High Court in Benning v Wong that damages should extend to any
personal harm the nuisance has there caused him.132
Establishing the causal link between industrial wind turbine noise and adverse health effects
has been difficult to establish and Crossley contends that noise issues as a potential for
nuisance claims will diminish,133
but current research would indicate that the opposite may be
true.
In the Erickson Case,134
the tribunal stated;
This case has successfully shown that the debate should not be simplified to one about
whether wind turbines can cause harm to humans. The evidence presented to the tribunal
demonstrated that they can, if facilities are placed too close to residents. The debate has
now evolved to one of degree.135
The industry consistently denies any adverse health impacts to humans living too close to
industrial turbine installations, implying that industrial-scale wind turbines are safe near
people’s homes.136
Yet reports of high levels of annoyance, sleep disturbance, and
body/vestibular responses have been received from people living within two or more
kilometres of wind turbines located in countries around the world.137
130
(1899) 20 LR (NSW) 58. 131
Ibid 61. 132
(1969) 122 CLR 249, per Windeyer, 318. 133
Crossley, above n 32, 143. 134
(2011) 10-121/10-122 2011 (Ontario Environmental Review Tribunal). 135
Ibid 207. 136
James, above n 122, 1. 137
Ibid.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 22 of 68
Neville, T
A growing body of anecdotal and peer reviewed studies have confirmed that they can
produce real discomfort and adverse health effects.138
Research and acoustical experience,
that claims infra and low-frequency sound from wind turbines are insignificant and cannot be
associated with reported symptoms are not supported.139
The World Health Organization has identified the importance of measuring low-frequency
components in a noise and notes that a large proportion of low-frequency component in a
noise may increase considerably the adverse effects on health.140
In Nichols v Powergen Renewables,141
it was accepted that the WHO Guidelines for
Community Noise,142
whilst not determinative of the existence of a nuisance in law were both
helpful and relevant.
An investigation by Ambrose and Rand that determined there are dynamically modulated low
frequency acoustic amplitudes and tones produced by wind turbines, also adversely affected
the health of the investigators.143
They claim the onset of symptoms was within 20 minutes of
arriving on site and included nausea, vertigo and sleep disturbance when turbines operated
above 10 metres per second. The investigators also experienced cloudy thinking, lethargy and
difficulty with activities indoors when wind speeds were strong at hub height.144
The ill effects are caused by pulsations exceeding vestibular threshold, unrelated to audible
frequency.145
The vestibular system appears to be stimulated by responding to these pressure
pulsations rather than by motion, especially at low ambient sound levels.146
Dysfunctions in
138
Stephen E Ambrose and Robert W Rand, ‘The Bruce McPherson Infrasound and Low Frequency Noise
Study: Adverse Health Effects Produced by Large Industrial Wind Turbine Confirmed’ (December 14, 2011) 3. 139
James, above n 122. 140
The World Health Organization, Guidelines for Community Noise (2009)
http://www.who.int/docstore/peh/noise/guidelines2.html. 141
(20 January 2004) South Lakeland Magistrates’ Court, UK. 142
World Health Organisation, Guidelines for Community Noise (1999)
http://www.who.int/docstore/peh/noise/ComnoiseExec.htm. 143
Ambrose and Rand, above n 138, 2 3. 144
Ibid 34. 145
The vestibular system, contributes to balance in most mammals and to the sense of spatial orientation, is the
sensory system that provides the leading contribution about movement and sense of balance. 146
Ambrose and Rand, above n 138, 3.
http://www.who.int/docstore/peh/noise/ComnoiseExec.htmhttp://en.wikipedia.org/wiki/Balance_%28ability%29http://en.wikipedia.org/wiki/Spatial_orientationhttp://en.wikipedia.org/wiki/Sensory_systemhttp://en.wikipedia.org/wiki/Motor_coordinationhttp://en.wikipedia.org/wiki/Sense_of_balance
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 23 of 68
Neville, T
the vestibular system can cause disequilibrium, nausea, vertigo, anxiety, dizziness and panic
attacks, which have all been reported near a number of industrial wind turbine facilities.147
The research of Otolaryngologist, Alec Salt, concluded that; the ear is sensitive to low
frequency and infrasonic pressure modulation levels that are not heard; the low frequency
modulation produces biological amplitude modulation of nerve fibre responses that cannot be
currently detected by sound metres; and outer hair cell responses to infrasound are the most
sensitive when ambient sound levels are low.148
There is sufficient research and history to link the sensitivity of some people to inaudible
amplitude-modulated infra and low-frequency noise to the type of symptoms described by
those living near industrial wind turbines.149
Adverse health effects experienced by people
living near industrial wind turbines require a co-ordinated approach from neuroscience,
otolaryngology, acousticians, general practitioners and government health agencies.150
A recent New Zealand study of health related quality of life (HRQOL) in individuals residing
in the proximity of a wind farm showed statistically significant reporting of lower overall
quality of life and physical quality of life.151
This quantitative study linked turbines to
degraded HRQOL and concluded that utility scale wind energy generation is not without
adverse health impacts on residents.152
Another up to date evaluation of wind farm noise policies in Waterloo in mid north South
Australia assessed residents within five kilometres of the wind farm and received a high 64%
response rate and found 70% of respondents claimed they had been negatively affected by
wind farm noise.153
In addition, 38% of respondents had raised complaints of noise to the
developer and 38% claimed experiencing health issues caused by wind farms, mainly related
to sleep deprivation and headache.154
147
Ibid. 148
Ibid 27-28. 149
James, above n 122, 18. 150
Ibid 24. 151
Daniel Shepherd et al, ‘Evaluating the impact of wind turbine noise on health-related quality of life’ (2011)
13(54) Noise & Health 333. 152
Ibid 338. 153
Wang, above n 128. 154
Ibid.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 24 of 68
Neville, T
Expectations of those affected were that the turbines should be turned off at night time and
appropriate financial compensation should be paid by the developers. The study concluded
that; the (noise) guidelines have not met their core objectives, complaint mechanisms had
failed, there is a lack of appropriate penalties for non compliance with noise guidelines, and
independent noise studies should be undertaken.155
The core objective of the Guidelines is to
balance the advantage of developing wind energy projects in South Australia with protecting
the amenity of the surrounding community from adverse noise impacts.156
In the late 1990s some of the symptoms that are related to exposure to low frequency noise
such as mental tiredness, lack of concentration and headache related symptoms, could be
associated with a reduced work performance, and are well documented.157
Arguably, past
experience, information, and previous knowledge of such symptoms, which was available
prior to the widespread implementation of the modern industrial-scale wind turbine, should
have been incorporated into the government and industry guidelines and regulations given
that the symptoms reported by people living near wind turbines is a new example of an old
problem.158
(emphasis added)
James claims a review of the work of eminent acoustical experts shows that the link between
the symptoms described by residents near industrial wind turbines and inaudible amplitude-
modulated infra and low-frequency noise were widely reported at professional conferences
and in research papers and are well known.159
The British Medical Journal has stated that a large body of evidence now exists to suggest
that wind turbines disturb sleep and impair health at distances, and at external noise levels
that are permitted in most jurisdictions, and may have important implications for public
health.160
Policy makers and energy companies may be complicit in ignoring the research, but that
knowledge (whether constructive or actual) and foreseeable risk of damage provides not only
155
Ibid. 156
Environmental Protection Authority, Wind farms environmental noise guidelines (July 2009) Government of
South Australia http://www.epa.sa.gov.au/ 1. 157
James, above n 121, 6. 158
Ibid 18. 159
Ibid. 160
Hanning and Evans, above n 5.
http://www.epa.sa.gov.au/
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 25 of 68
Neville, T
the elements for nuisance claims but also possibly negligence, which has not been tested yet
in Australia.
It is possible that these adverse effects could have been foreseen by those who manufacture
and/or install and operate industrial scale wind turbine utilities in quiet rural/ residential
communities.
7 Other issues
Other issues have been raised in cases in Australia and overseas including visual amenity,
aesthetics, shadow flicker and blade glint, but it is these problems that the South Australian
interim planning amendments determine must be ‘accepted’, and so will not be discussed in
detail here.161
For a recent Australian examination of these issues see Crossley.162
Many actions raise concerns regarding property valuation, or more precisely devaluation with
owners claiming that they are unable to sell property near wind turbines and thus constituting
pecuniary damage.163
The devaluation of property (economic loss) may fall under private
nuisance and negligence.
This issue coincides with the growing number ‘turbine refugees’; these are people who can
no longer live in their homes due to noise and vibration. In Waubra in Victoria, 11 of these
homes were purchased by Acciona, the developer.164
In Waterloo in South Australia, several
homes are abandoned.165
In addition, property may be devalued as people choose not to live
161
In Paltridge v District Council of Grant [2010] SAERDC 23, in South Australia it was found that a wind
farm in terms of height, locality, and prominent and foreign elements, would detract from the visual amenity to
an unacceptable degree; this decision facilitated the amendments to the Development Act in South Australia. 162
Crossley, above n 32, 135. 163
See, eg, Particulars of Claim, amended, submission in Peplinski v John Deere Renewables prepared for the
State of Michigan 52nd
Circuit Court for the County of Huron (January, 2012); Particulars of Claim, submission
in Davis v Tinsley, prepared for the Queen's Bench Division, High Court of Justice (2010); Particulars of Claim:
Submission in Michaud v Kent Breeze Corp prepared for the Ontario Superior Court of Justice (September 20
2011). 164
Peter Rolfe, ‘Turbines declared a nasty neighbour as secret buyout is revealed’, Sunday Herald Sun January
30 2011 http://www.heraldsun.com.au/news/more-news/turbines-declared-a-nasty-neighbour/story-e6frf7kx-
1225996. 165
Interview with Andreas Marciniak (Resident of Waterloo at Waterloo Town Hall, 13 February 2011).
http://www.heraldsun.com.au/news/more-news/turbines-declared-a-nasty-neighbour/story-e6frf7kx-1225996http://www.heraldsun.com.au/news/more-news/turbines-declared-a-nasty-neighbour/story-e6frf7kx-1225996
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 26 of 68
Neville, T
near turbines and put them in the same category as living next to piggeries, hatcheries, and
sewerage treatment plants.166
This is a difficult and contentious hypothesis due to the variations that already exist in the
real estate market, the vagaries of real estate pricing practice, the fact that no studies on this
issue has been published in a peer reviewed journal and industry and government reject the
claim.167
Studies range from ‘an unlikely causal relationship between wind farms and market values’
to; the homeowner would be 98% correct in concluding that wind turbines are bad news, and,
lost value ranging from 19%- 74% due to wind farm proximity.168
In Canada, an environmental review tribunal stated that windmills being on the land do
impact on property values and it is that loss that is causing all the annoyance and
frustration.169
Obviously a host turbine property, receiving rents for turbines has an ongoing
income, but those surrounding a wind farm do not have this protection and regular appraisals
may be pertinent for these homeowners.
VI PART 3
F Negligence
Negligence provides a legal remedy for personal injury or economic loss.170
Australia has yet to pursue a negligence case regarding wind turbines. A current case in
Ontario, Canada, is claiming compensatory damages for, inter alia, negligence.171
If this case
166
Email from S McIntyre, (Elders National Sales Manager) to Bryan Lyons (January 18 2011) ‘There is
absolutely no doubt, that the value of lands adjacent to wind towers falls significantly in value, in excess of 30%
and sometimes up to half. The ambience of a rural property is important, and oftentimes, the sole reason why a
purchaser selects a particular area or district. The imposition of wind towers destroys this ambience forever.’ 167
Wayne E Gulden, ‘A Review of the Current Evidence Regarding Industrial Wind Turbines and Property
Values From a Homeowner’s Perspective’ (2011) 31(5) Bulletin of Science, Technology & Society 363, 363-4. 168
Ibid 365 6. 169
Ibid 367. 170
Gerry Bates, Environmental Law in Australia (Lexis Nexis Butterworths, 7th ed, 2010) 56.
171 Particulars of Claim: Submission in Michaud v Kent Breeze Corp prepared for the Ontario Superior Court of
Justice (September 20 2011).
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 27 of 68
Neville, T
proceeds to trial and a decision it will provide an interesting persuasive argument for
potential negligence litigation in Australia.
In this action the plaintiffs claim that the developer, Suncor, is liable in negligence (and
public nuisance) for failing to study the effects of the turbine arrays, failing to warn of risks
of its operation, failing to take measures to prevent escape of noise or to eliminate it once it
was reasonably known, and have caused damage to property and to the Michauds themselves,
which is in breach of its duty of care to the Michauds.172
The turbines have been operating
since May 2011 and the Michauds made several complaints to the developers. The claim also
pursues a Rylands v Fletcher strict liability claim citing the wind facility constitutes a non
natural use of the neighbouring property.173
8 Elements of Negligence
Negligence has 3 elements:
1. a relevant duty of care owed by the defendant to the plaintiff;
2. that the duty of care has been breached by the defendant; and
3. that the plaintiff has suffered damage/harm which is causally related and not
too remote in law to the defendant's act.
It is only when all three of these elements are present that negligence may be proved.
9 Duty of care
All persons owe a duty of care to avoid harm to others who might reasonably be foreseen as
likely to be affected if activities are, or are not, carried out negligently. Negligence is not
172
Ibid 18. 173
Ibid 1b), 14; See Rylands v Fletcher (1868) LR 3 HL 330, in the UK (and Canada) the rule is an extension of
nuisance requiring; a) the defendant bought something onto his land, b) the defendant made a non-natural use of
his land, c) the thing was something likely to do mischief, d) the thing caused damage and e) the harm was
foreseeable. However in Australia Burnie Port Authority v General Jones Pty Ltd (1994) 179 CLR 520, 556,
abrogated the rule in Rylands v Fletcher because it had, attracted many difficulties, uncertainties, qualifications
and exceptions and should now be seen, for the purposes of Australian common law, as absorbed by the
principles of ordinary negligence. See discussion below at p 38.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 28 of 68
Neville, T
concerned with what the defendant knew but what the ‘reasonable person’ in the defendant’s
position might know.174
The relevant duty of care may be found in Donoghue v Stevenson [1932] AC 562;175
The rule that you are to love your neighbour becomes in law, you must not injure your
neighbour; and the lawyer’s question, Who is my neighbour? receives a restricted reply.
You must take reasonable care to avoid acts or omissions which you can reasonably
foresee would be likely to injure your neighbour. Who, then, in law is my neighbour? The
answer seems to be - persons who are so closely and directly affected by my act that I
ought reasonably to have them in contemplation as being so affected when I am directing
my mind to the acts or omissions which are called in question.
The duty of care for liability for negligence founded on physical damage to persons or
property is well established, but pure economic loss, psychiatric injury and other novel fact
situations may require the court to examine other salient factors.176
The ‘neighbour test’ in the case of wind turbines requires little deviation from a literal
interpretation, however, given that neighbours within a 10 kilometre range may be affected
by turbines, a debate may ensue as to the extent of the duty and of distance or proximity from
the risk. The test of foreseeability for purposes of creating a duty of care has been accepted to
be satisfied even if a relevant risk is a mere remote possibility.177
If the reasonable person could not foresee a harmful consequence of an action then a
defendant will not be negligent in failing to take precautions. At common law Mason J
enunciated the principle in Wyong Shire Council v Shirt;
174
McGlone and Stickley, above n 70, 130. 175
All ER Rep 1, per Lord Atkin, 580. 176
Woolcock Street Investments Pty Ltd v CDG Pty Ltd (2004) 205 ALR 522. 177
Jim J Spigelman, ‘Negligence: The Last Outpost of the Welfare State’ (speech delivered at the Judicial
Conference of Australia: Colloquium, Launceston, 27 April 2002)
http://www.lawlink.nsw.gov.au/lawlink/supreme_court/ll_sc.nsf/vwPrint1/SCO_speech_spigelman_270402.
http://www.lawlink.nsw.gov.au/lawlink/supreme_court/ll_sc.nsf/vwPrint1/SCO_speech_spigelman_270402
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 29 of 68
Neville, T
When we speak of a risk of injury as being `foreseeable' we are not making any statement
as to the probability or improbability of its occurrence, save that we are implicitly asserting
that the risk is not one that is far-fetched or fanciful...178
10 Legislation: Risk
The question to be asked when dealing with legislative provisions, such as those in South
Australia is: whether the defendant knew or ought to have known of a risk which is ‘not
insignificant’.179
The term ‘not insignificant’ makes it harder for the plaintiff to recover as it is not as easily
satisfied as ‘far-fetched or fanciful’ and does not require the risk to be ‘reasonably
foreseeable’, instead it asks whether the defendant knew or ought to have known that they
created an unreasonable risk of harm to others, and then by establishing objectively whether a
reasonable person would have taken precautions to prevent that risk. If a defendant’s actions
served a socially useful purpose then he may have been justified in taking greater risks, but it
must not be ‘too great to warrant the incurring of danger’.180
The term ‘risk’ is defined as, ‘endanger; expose to a chance of injury or loss’181
and
‘insignificant’ is defined as ‘devoid of weight or force’.182
Chance is a ‘possibility’ or
‘probability’.183
Section 32184
thus literally provides a person may be negligent if there is a
possibility of injury or loss that carries some weight or consequence.
When applying this to industrial wind turbines, the industry may wish to consider the
mounting peer reviewed and independent data that now exists to suggest that wind turbines
178
[1980] HCA 12; (1980) 146 CLR 40, 47. 179
Civil Liability Act 1936 (SA) s 32 Precautions against risk: (1) A person is not negligent in failing to take
precautions against a risk of harm unless; (a) the risk was foreseeable (that is, it is a risk of which the person
knew or ought to have known); and (b) the risk was not insignificant; and (c) in the circumstances, a reasonable
person in the person's position would have taken those precautions. (2) In determining whether a reasonable
person would have taken precautions against a risk of harm, the court is to consider the following (amongst
other relevant things) (a) the probability that the harm would occur if precautions were not taken (b) the likely
seriousness of the harm (c) the burden of taking precautions to avoid the risk of harm (d) the social utility of the
activity that creates the risk of harm. (emphasis added) 180
Watt v Hertfordshire County Council [1954] 2 All ER 368. 181
Shorter Oxford English Dictionary (Oxford University Press, 6th ed, 2007) 2592.
182 Ibid 1394.
183 Ibid 381.
184 Civil Liability Act 1936 (SA).
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 30 of 68
Neville, T
disturb sleep and impair health and has implications for public health.185
The literature
suggests more than a remote possibility of a chance of injury or harm to some individuals and
is widely available to government, industry and the community.
11 Standard of care
The standard of care expected is one which is reasonable according to the circumstances of
each case.186
Failure to take action or warn of danger, such as water contamination,187
or failure of a
statutory authority to supply information required for planning purposes,188
may ground
liability in negligence if personal or economic harm results from such a failure. It has been
suggested that statutory authorities responsible for sewerage discharges could breach a duty
of care for failing to reveal health risks to local communities bathing at beaches affected by
the pollution.189
The requisite standard of care may be determined by the practice of an industry which does
not keep abreast of increased awareness or dangers and the introduction of new technology
which might lessen the risk.190
In Thompson v Smiths Shiprepairers,191
the excessive noise in a ship yard was an inescapable
feature of the industry but the court had to balance the general practice of industry inaction
and the acceptance of the defendants who could only rely on industry general practice. The
defendants were under a duty of care because they should have sought knowledge or should
have known that effective precautions could be taken to protect employees from the risk of
deafness.
185
Hanning and Evans, above n 5. 186
McGlone and Stickley, above n 70, 220-1. 187
Scott-Whitehaed v National Coal Board (1987) 53P&C 263. 188
L Shaddock and Associates v Parramatta City Council (1981) 150 CLR 255. 189
Bates, above n 170, 62. 190
Thompson v Smiths Shiprepairers (North Shields) Ltd [1984] 1 All ER 881. 191
Ibid 406.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 31 of 68
Neville, T
The industrial wind turbine industry still claims there is no risk regarding fire,192
noise, or
health, associated with the operation of turbines despite a growing body of evidence to the
contrary. It may well be prudent for the industry to re-analyse the available independent and
peer reviewed research to ascertain and contain any risk of harm and ensure they meet the
expected requisite standard of care which is reasonable in the circumstances.
12 Fire risk
Bushfires in Australia are often caused by overhead powerlines and they may be avoided by
burying the wires but the cost to do so is prohibitive, in that case the electricity authority is
not negligent for refusing to take the precaution,193
but it is difficult to see why one individual
should be left to bear the cost of something that is done in the interest of the community at
large.194
When a wind turbine caught fire at Starfish Hill in South Australia it was determined that
water cannot be used to extinguish a wind turbine fire as the turbine’s hub contains a large
electrical network, and the ground to blade tip height is over 100 metres. The Southern
Fleurieu Country Fire Service Group said, ‘There was not a damn thing you could do about it.
There were tips of the blades flying some distance’.195
The risk of fire in turbines is of concern to residents in the mid north of South Australia, a
high fire risk area, and the Aerial Agricultural Association of Australian (AAAA), state in
their wind farm policy; wind farms are a direct threat to aviation safety and especially aerial
application and aerial fire bombers cannot operate in the vicinity of wind turbines, turbines
should not be placed in high fire risk areas. As a result of the overwhelming safety and
economic impact of wind farms (placement on productive agricultural land) AAAA opposes
all wind farm developments in areas of agricultural production and elevated bushfire risk.196
192
There have been three fires in wind turbines in South Australia; Lake Bonney, January 2006; Cathedral
Rocks, February 2009; and Starfish Hill, October 2010. 193
Harold Luntz, et al, Torts Cases and Commentary (Lexis Nexis Butterworths, 6th ed, 2009) 191-2.
194 Masterwood Pty Ltd v Far North Queensland Electricity Board (1997) Aust Tort Reps 81-443 (Qld CA) 64,
512. 195
John Satterly, ‘And no one fought it’, Victor Harbour Times October 30, 2010. 196
Wind Farm Policy, Aerial Agricultural Association of Australian (AAAA) (March 2011)
http://www.aerialag.com.au.
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 32 of 68
Neville, T
The National Guidelines confirm that; ‘there is a risk of fire associated with wind farms’, but
it is considered to be ‘low’ and requires a ‘management plan’.197
The risk for fire has thus
been identified and it would be necessary to see the specific application and permit plans and
requirements to determine if a duty or breach is identified in the case of a fire.
13 Legislation: Standard of Care
Legislation defines standard of care in South Australia as: For determining whether a person
(the defendant) was negligent, the standard of care required of the defendant is that of a
reasonable person in the defendant's position who was in possession of all information that
the defendant either had, or ought reasonably to have had, at the time of the incident out of
which the harm arose.198
14 Breach
A two limb test determines whether a duty of care has been breached:
1. Would a reasonable person in the defendants position have foreseen that their
conduct posed a risk of injury to the plaintiff; and
2. The calculus of negligence; that is, was the defendant’s response to that risk
reasonable?199
In regards to breach Mason J said in Wyong Shirt:200
The perception of the reasonable man's response calls for a consideration of the magnitude of
the risk and the degree of the probability of its occurrence, along with the expense, difficulty
and inconvenience of taking alleviating action and any other conflicting responsibilities
which the defendant may have. It is only when these matters are balanced out that the
197
Environment Protection and Heritage Council (EPHC) National Wind Farm Guidelines Draft July 2010, (7
July 2010) Australian Government, 3.9
http://www.ephc.gov.au/sites/default/files/DRAFT%20National%20Wind%20Farm%20Development%20Guide
lines_JULY%202010_v2.pdf. 198
Civil Liability Act 1936 (SA) s 31. 199
Wyong Shire Council v Shirt [1980] HCA 12; (1980) 146 CLR 40. 200
Ibid 47-8.
http://www.ephc.gov.au/sites/default/files/DRAFT%20National%20Wind%20Farm%20Development%20Guidelines_JULY%202010_v2.pdfhttp://www.ephc.gov.au/sites/default/files/DRAFT%20National%20Wind%20Farm%20Development%20Guidelines_JULY%202010_v2.pdf
-
BLAWS Honours Research Paper by Tania Neville 3 June 2012
Page 33 of 68
Neville, T
tribunal of fact can confidently assert what is the standard of response to be ascribed to the
reasonable man placed in the defendant's position.
This is provided for in legislation in South Australia.201
In Da Costa v Australian Iron and Steel Pty Ltd,202
the High Court held that it is not enough
to show that the operation involves an element of risk, it must also be shown that the risk
could have been eliminated by some form of precaution or safeguard.
If bodily harm was foreseeable as a possible consequence of a breach of duty, the defendant
will be liable for the actual bodily harm that ensues, no matter how unusual that harm might
be, so long as the harm was foreseeable.203
This is not without contrasts, in Tremaine v
Pike,204
a farmhand contracted a rare disease after coming into contact with rats urine, but the
court held that this type of injury could not be foreseen. Contra, Bradford v Robinson
Rentals,205
where an employee with frostbite was able to recover since cold and chilblains
were foreseeable injuries.
Justice Spigelman opined that a provision which states that, in determining whether a